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UBS (Irl) Investor Selection – Equity Opportunity Long Short Fund (USD hedged) P-PF-acc

Net asset value 95.38 USD

Last update

20.02.2019

ISIN: IE00BSSWB440

Cumulative Return (as of last month end)

2019 YTD1)

1 year

3 years

5 years

10 years

LTD

Fund (USD) (Gross of Sales Charge)

-0.41

4.29

-15.77

n.a.

n.a.

-5.91

Fund (USD) (Net of Sales Charge)

--ERR--

--ERR--

--ERR--

n.a.

n.a.

--ERR--

1) YTD: year-to-date (since beginning of the year)

Annualized Return (as of last month end)

2019 YTD1)

1 year

Ø p.a. 3 years

Ø p.a. 5 years

Fund (USD) (Gross of Sales Charge)

-0.41

4.29

-5.56

n.a.

Fund (USD) (Net of Sales Charge)

--ERR--

--ERR--

--ERR--

n.a.

1) YTD: year-to-date (since beginning of the year)

Net asset values in currency of account

Net asset values in currency of account

Volatility (as of last month end)

3 years

5 years

Volatility1)

– Fund

9.21%

n.a.

Sharpe ratio

-0.75

n.a.

Risk free rate

1.32%

n.a.

1) Annualised standard deviation